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BAM stock logo

BAM

Brookfield Asset Management Ltd.

$44.62
-0.04
 (-0.09%)
Exchange:  NYSE
Market Cap:  71.249B
Shares Outstanding:  402.726M
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About The Company

Sector:  Financial Services
Industry:  Asset Management
   
CEO:  Connor David Teskey
Full Time Employees:  2500
Address: 
Brookfield Place
Toronto
ON
M5J 2T3
CA
Website:  https://www.brookfield.com
Brookfield Asset Management operates as a prominent alternative asset manager and real estate investment trust (REIT), specializing in real estate, renewable energy, infrastructure, venture capital, and private equity assets. The firm provides a comprehensive range of public and private investment products and services to institutional and retail clients globally. Its strategy involves deploying capital into significant, premier assets across diverse geographies and asset classes, often co-investing its own capital alongside that of other investors. In its private equity and venture capital operations, the firm engages in a wide array of activities. These include early-stage ventures, outright acquisitions, control buyouts, corporate carve-outs, and the restructuring of financially distressed or underperforming mid-market companies. Its involvement further extends to recapitalizations, strategic redirections, and various forms of financing such as convertible, senior, and mezzanine debt, as well as operational and capital structure overhauls. Beyond private markets, Brookfield also actively participates in public debt and equity exchanges. Private equity investments are concentrated in specific sectors: Business Services (encompassing infrastructure, healthcare, road fuel distribution, construction, and real estate), Industrials (including manufacturers of automotive batteries, graphite electrodes, returnable plastic packaging, and sanitation management), and Residential/infrastructure services. The firm specifically targets companies underpinned by substantial real assets, primarily across industrial products, building materials, metals, mining, homebuilding, oil and gas, paper and packaging, general manufacturing, and forest product sectors. Geographically, Brookfield maintains a significant investment presence worldwide, concentrating on North America (including Canada, the United States, and Brazil), Europe, Australia, and the broader Asia-Pacific region. Equity investments typically range from $2 million to $500 million. The firm employs a four-year investment period, structured within a ten-year term that allows for two optional one-year extensions. Brookfield is flexible in its ownership approach, readily taking both minority and majority equity stakes. Established in 1997 and headquartered in Toronto, Canada, Brookfield Asset Management boasts a global network of additional offices across North America, South America, Europe, the Middle East, and Asia.

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Revenue Segmentation

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EPS

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Earnings Call

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Earnings transcript

Read the complete earnings call transcript.

AI summary

Key takeaways

Short, structured highlights from the call so you can focus on what matters.

2026/05/08 — Q1 quarter 2026

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Income Statement
Balance Sheet
Cash Flow Statement
Analyst Estimates

Income Statement

Year202320242025
Revenue4,062,0003,980,0004,608,000
Gross Profit3,014,0002,826,0003,235,000
EBITDA2,630,0002,429,0003,235,000
Operating Income2,958,0002,762,0003,034,000
Net Income1,839,0002,168,0002,485,000

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(* All numbers are in thousands)

Balance Sheet

Year202320242025
Total Assets3,205,0004,386,00017,019,970
Total Liabilities1,120,0001,108,0006,728,732
Total Stockholders Equity2,076,0003,247,0008,895,781
Total Debt256,000219,0002,934,650
Cash and Cash Equivalents9,00012,0001,580,119

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(* All numbers are in thousands)

Cash Flow Statement

Year202320242025
Operating Cash Flow508,00000
Capital Expenditure-17,00000
Free Cash Flow508,00000
Net Income451,000541,0002,485,000
Net Change in Cash8,000-9,000-404,000

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(* All numbers are in thousands)

Analyst Estimates

Fiscal Year2029Research AccessResearch AccessResearch AccessResearch Access
Estimated Revenue (Low)4,850,813.219Research AccessResearch AccessResearch AccessResearch Access
Estimated Revenue (High)5,244,606.778Research AccessResearch AccessResearch AccessResearch Access
Estimated Revenue (Avg)5,078,006.687Research AccessResearch AccessResearch AccessResearch Access
Estimated Ebitda (Low)3,573,102.175Research AccessResearch AccessResearch AccessResearch Access
Estimated Ebitda (High)3,863,169.956Research AccessResearch AccessResearch AccessResearch Access
Estimated Ebitda (Avg)3,740,452.564Research AccessResearch AccessResearch AccessResearch Access
Estimated Net Income (Low)4,137,108.902Research AccessResearch AccessResearch AccessResearch Access
Estimated Net Income (High)4,579,935.488Research AccessResearch AccessResearch AccessResearch Access
Estimated Net Income (Avg)4,392,591.477Research AccessResearch AccessResearch AccessResearch Access
Estimated SGA Expense (Low)108,364.999Research AccessResearch AccessResearch AccessResearch Access
Estimated SGA Expense (High)117,162.171Research AccessResearch AccessResearch AccessResearch Access
Estimated SGA Expense (Avg)113,440.400Research AccessResearch AccessResearch AccessResearch Access
Estimated EPS (Avg)2.670Research AccessResearch AccessResearch AccessResearch Access
Estimated EPS (High)2.780Research AccessResearch AccessResearch AccessResearch Access
Estimated EPS (Low)2.510Research AccessResearch AccessResearch AccessResearch Access
Number of Analysts (Estimated Revenue)2Research AccessResearch AccessResearch AccessResearch Access
Number of Analysts (Estimated EPS)1Research AccessResearch AccessResearch AccessResearch Access

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(* All numbers are in thousands)

Current Key Metrics

?Revenue
 (TTM)
: 
458.857M  ?P/S
 (TTM)
: 
15.83
?Net Income
 (TTM)
: 
515.025M  ?P/E
 (TTM)
: 
30.41
?Enterprise Value
 (TTM)
: 
80.131B  ?EV/FCF
 (TTM)
: 
34.61
?Dividend Yield
 (TTM)
: 
0.04  ?Payout Ratio
 (TTM)
: 
1.17
?ROE
 (TTM)
: 
0.3  ?ROIC
 (TTM)
: 
0.53
?Net Debt
 (TTM)
: 
216.871M  ?Debt/Equity
 (TTM)
: 
0.71
?P/B
 (TTM)
: 
10.01  ?Current Ratio
 (TTM)
: 
1.42

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Forward P/E Ratios

?

Forward P/E (Avg EPS estimate) — log in with Research Access for high/low estimates and the interactive table.

Forward P/E 1YResearch AccessResearch AccessResearch AccessResearch Access
23.86Research AccessResearch AccessResearch AccessResearch Access

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SWOT Analysis

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At what price to buy it? -
Intrinsic Value Calculator

This is an automatic estimate. The most reliable way to know fair value for your own assumptions is to run the calculator below.

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Common questions about BAM valuation

Is Brookfield Asset Management Ltd. (BAM) overvalued or undervalued right now?

MARKETSnap estimates intrinsic value for Brookfield Asset Management Ltd. (BAM) using its proprietary valuation methodology, which incorporates discounted cash flow (DCF) analysis together with long-term earnings and fundamentals assumptions. By comparing intrinsic value to the current market price, long-term investors can see whether the stock screens as potentially overvalued, fairly valued, or undervalued today.

Is BAM a buy, hold, or sell for long-term investors?

MARKETSnap does not give one-word “buy” or “sell” calls. Instead, it shows whether BAM trades at a premium or discount to its estimated intrinsic value, how sensitive that value is to growth and margin assumptions, and how the stock fits into a diversified, long-term portfolio so investors can make their own buy, hold, or sell decision.

What is BAM’s P/E ratio?

You can see BAM’s trailing P/E (TTM) and forward P/E estimates in the Current Key Metrics and Forward P/E Ratios sections above. The P/E ratio compares the current share price to earnings per share and helps investors gauge valuation relative to earnings.

How is intrinsic value calculated for BAM?

MARKETSnap uses its own valuation framework—not a generic spreadsheet DCF alone. Future cash flows and earnings are projected, discounted, and combined with MARKETSnap’s methodology so intrinsic value reflects fundamentals and long-term assumptions. You can run your own inputs and see the result using the Intrinsic Value Calculator above.

Is BAM a good long-term investment?

Whether BAM fits a long-term portfolio depends on your assumptions about growth, margins, and risk. MARKETSnap provides the metrics, intrinsic value calculator, and SWOT context so you can form your own view rather than rely on a single buy/sell rating.

BAM

1-day price chart preview. Log in for 1W through 5Y ranges and period tabs.

Daily snapshot

-0.09
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Trading Metrics:

Open: 44.5   Previous Close: 44.66
Day Low: 44.35   Day High: 45.26
Year Low: 42.2   Year High: 64.1
Price Avg 50: 47.76   Price Avg 200: 50.73
Volume: 1.728M   Average Volume: 3.33M

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